My skills include accounting, financial reporting, external/internal audits and taxation of different manufacturing organization
• Participate in physical stock taking and finalizing monthly work in process.
• Monitor & Control of computer system (General Ledger system & Parties tax payable system.
• Preparation of monthly / quarterly schedules such as advances & accrued expenses.
• Monitoring the allowances providing to Managerial Staff.
• Checking of Salaries, Overtime, Unpaid salary, unpaid overtime, Contractors Bills.
• Preparation of Bank Vouchers & Issued of cheque to parties.
• Preparation and monitoring Cash flows and bank position for day-to-day requirements.
• Preparation of Bank reconciliation Statement monthly and providing to Head Office.
All Bank & Cash work controle on daily basis.
I gained much experience with professional and experiential bank memebers. we have team worked i enjoyed and learned very well.